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Sunamerica Series Trust Sa Federated Hermes Corporate Bond Class 1 (0P00003BXS)

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11.480 -0.070    -0.61%
18/12 - Delayed Data. Currency in USD
Type:  Fund
Market:  United States
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 410.88M
SunAmerica Series Trust Corporate Bond Portfolio C 11.480 -0.070 -0.61%

0P00003BXS Overview

 
On this page you'll find an in-depth profile of Sunamerica Series Trust Sa Federated Hermes Corporate Bond Class 1. Learn about the key management, total assets, investment strategy and contact information of 0P00003BXS among other information.
Category

Corporate Bond

Total Assets

410.88M

Expenses

0.54%

Inception Date

Jul 01, 1993

Contact Information

Address
,
United States
Phone -

Top Executives

Name Title Since Until
Randal Stuckwish VP, Senior Investment Analyst, & Portfolio Manager 2024 Now
Biography Randal Stuckwish, CFA, Vice President, Senior Investment Analyst, Portfolio Manager. Responsible for portfolio management and research in the fixed income area concentrating in the domestic high yield sector. Previous associations: Finance Rotational Intern, Ashland, Inc.; Chief Executive Officer, Chief Portfolio Manager, Robert J. McCann Family Student Investment Fund. B.S., Bethany College; M.B.A., Tepper School of Business, Carnegie Mellon University.
Brian S. Ruffner Portfolio Manager 2009 Now
Biography Brian S. Ruffner, has been the Fund’s portfolio manager since April of 2017. Mr. Ruffner is responsible for for providing research and advice on sector allocation and security selection. Mr. Ruffner joined Federated in 1994 in the Fund Accounting department and from 1997 to 2001 was a Trader on the Cash Management Desk. In 2001 Mr. Ruffner became an Investment Analyst and in 2004 was appointed Asst. Vice President of a Federated advisory subsidiary. He became a Senior Investment Analyst and was appointed Vice President in 2007. From 1993 through 1994 Mr. Ruffner was employed by Mellon Bank NA as Global Trade Administrator. Mr. Ruffner earned his B.S. at the Indiana University of Pennsylvania and received his M.B.A. from Duquesne University.
Mark E. Durbiano Senior Portfolio Manager 1996 2024
Biography Mark E. Durbiano, CFA, Senior Portfolio Manager, Head of the Domestic High Yield Group is responsible for portfolio management and research in the fixed income area, concentrating in the domestic high yield sector. Mr. Durbiano joined Federated in 1982 and has been Senior Portfolio Manager and Senior Vice President since 1996. He received a B.A. from Dickinson College and an M.B.A. from University of Pittsburgh. Mr. Durbiano has 38 years of investment experience.
Joseph M. Balestrino Senior Vice President 1996 2013
Biography Joseph M. Balestrino, CFA, Senior Vice President, Fixed Income Market Strategist, Senior Portfolio Manager, Head of the Domestic High Grade Corporate Bond Group. As Fixed Income Market Strategist, works as part of the team responsible for formulating Federated’s opinions on the various fixed income markets and positioning strategies, as well as articulating the practical implications of those targets to clients and potential clients. As Senior Portfolio Manager, responsible for portfolio management and administration of the General High Grade Corporate and Multi-Sector Bond Groups. Previous associations: Product Development and Insurance Operations, Federated Investors; Financial Planner, IDS/American Express. B.A., M.U.R.P., University of Pittsburgh. Professional affiliation: Member, CFA Society of Pittsburgh. Joined Federated 1986; Investment Experience: 23 Years.
Christopher J. Smith Senior Vice President 2000 2012
Biography Christopher J. Smith has been the Fund's Portfolio Manager since its inception in September 2005. Mr. Smith joined Federated in 1995 and has been a Senior Portfolio Manager since 2002 and Senior Vice President of the Fund's Adviser since 2011. Previous associations: Assistant Vice President of Provident Life & Accident Insurance Company, Portfolio Manager and Manager of Derivative Securities, Unum Provident Corporation; Investment Strategist and Financial Economist, Mellon Bank Corporation; Asset/Liability Financial Analyst, JP Morgan Chase & Co. B.S., B.A., Xavier University; M.A., University of Kentucky. Completed all coursework towards Ph.D. in Economics/Finance. Professional affiliation: Member, CFA Society of Pittsburgh.
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